Trade Ideas

Actionable trade ideas with defined risk and time horizons.

Curated trade ideas across equities, options, and other instruments, featuring clear directional bias, time horizon, and risk considerations. Trade ideas are designed to align market context, technical structure, and risk management principles.

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10,938 total articles

Annaly: Q2 Mix Shift Is Real — Time to Buy the Repricing Bounce

Annaly: Q2 Mix Shift Is Real — Time to Buy the Repricing Bounce

Annaly (NLY) just looks cheaper and more resilient than I allowed for earlier. A visible shift in portfolio mix toward higher-yielding residential credit and mortgage servicing rights, plus a raised quarterly dividend of $0.75, means Q2 should validate improving earnings power. At $23.50 entry, this is a pragmatic swing trade: buy on the mix story …

Western Union: Buying an Income-Driven Value Play as the Turnaround Awaits

Western Union: Buying an Income-Driven Value Play as the Turnaround Awaits

The Western Union Company (WU) trades at roughly $8.33, sporting an ~11% dividend yield and a trailing P/E near 6x. Cheap multiples, solid free cash flow of $377.7M, and a pending Intermex acquisition that is almost fully approved create an asymmetric risk/reward for patient income-value buyers. The trade is to buy into the turnaround with a clear …

Nexa Resources: Zinc Upswing Still Underpriced — A Tactical Long

Nexa Resources: Zinc Upswing Still Underpriced — A Tactical Long

Nexa Resources (NEXA) looks like a mispriced play on base metals exposure. With a market cap of roughly $1.66B, a P/E under 9 and a dividend coming into focus, the stock appears to have upside that the market has not fully baked in. This trade idea lays out entry, stop and target levels across defined horizons and highlights the operational and mac…

Red Rock Resorts: Betting on Las Vegas Growth and Strategic Land Scarcity

Red Rock Resorts: Betting on Las Vegas Growth and Strategic Land Scarcity

Red Rock Resorts (RRR) sits above its near-term moving averages with healthy cash flow and a modest dividend. With a market cap near $7.0B and an enterprise value around $7.38B, the case for a mid-term long is built on continued Las Vegas demand, development projects and scarce developable land near core resorts. Trade plan: enter $66.75, target $6…

SK hynix: Settle the Dip, Play the AI Memory Bounce

SK hynix: Settle the Dip, Play the AI Memory Bounce

SK hynix trades under $160 after a steep pullback. The company controls majority share of HBM, benefits directly from NVIDIA-led AI demand and accelerating capex among hyperscalers. With a $1.106T market cap, a still-reasonable P/E of 23.7 and recent sector-led selling presenting an entry, this trade targets a rebound toward the $185 area with a di…

Sea Limited: Three Engines of Growth, One Undervalued Opportunity

Sea Limited: Three Engines of Growth, One Undervalued Opportunity

Sea Limited ($SE) combines a high-margin gaming franchise, a dominant e-commerce platform in Southeast Asia, and a growing fintech arm. Recent results show revenue strength and adjusted EBITDA turning positive, while the stock trades well below its 52-week high. This trade idea outlines a long entry with a clear stop and target, driven by fundament…

Pay Up for the Roll-Up: Why DXP Enterprises Deserves a Higher Multiple

Pay Up for the Roll-Up: Why DXP Enterprises Deserves a Higher Multiple

DXP Enterprises (DXPE) is a capital-efficient industrial distributor with healthy cash flow, a lean balance sheet, and an attractive acquisition runway. With EPS near $5.67 and free cash flow around $97M, a successful roll-up could justify a move from a mid-30s P/E to the high-30s or low-40s. This trade idea lays out an actionable long trade with e…

Adobe at an Attractive Valuation: Buy the Post-Selloff Rebound

Adobe at an Attractive Valuation: Buy the Post-Selloff Rebound

Adobe's stock has retraced from its 52-week highs and is now trading at single-digit EV/EBITDA and low-teens P/E. With generative AI adoption accelerating across content and document workflows, fundamentals (free cash flow $10.28B, EPS ~$18.19) and technicals suggest a high-probability recovery. This trade plan outlines an actionable long with clea…

Two-Protocol Pivot Makes Sense — QBTS Is a Strong Buy on the Dip

Two-Protocol Pivot Makes Sense — QBTS Is a Strong Buy on the Dip

D-Wave's strategic shift to offer two complementary quantum protocols - annealing and gate-model - expands its addressable market and reduces single-technology dependency. With commercial traction (bookings headlines, system sales and cloud deals), a modest balance sheet cushion, and a deeply oversold setup, QBTS is a Strong Buy for patient, risk-t…